Banque Federative Credit Mutuel 1.375% 2021-12 GBP

Update! New bond issue: Banque Federative Credit Mutuel issued new debt notes (XS1752894888) for 450M GBP as of January 10, 2018. Tradable at Euronext Paris as of January 22, 2018.

Issuer | Banque Federative Credit Mutuel |
Bond Type | Corporate |
Category | Senior |
Maturity Date | December 20, 2021 |
Residual Duration | 10 months, 23 days |
Currency | GBP (British Pound) |
Coupon Type | Fixed Rate |
Coupon (Yearly) | 1.375% |
Coupon Frequency | Annual |
Minimum Lot | 100,000 GBP |
Additional Lots | 100,000 GBP |
Issue Date | January 22, 2018 |
Issued Amount | 450,000,000 GBP |
Issue Price | 99.872% |
Maturity Price | 100.000% |
Issuer Rating | A stable (S&P), Aa3 stable (Moody's), A+ stable (Fitch) |
Bond Rating | A (S&P), Aa3 (Moody's), A+ (Fitch) |
Home Exchange | Paris |
Other Exchanges | Berlin |
Isin | XS1752894888 |
Issue Documentation | Issue Prospectus |
Industry | Banking |
Sector | Financials |
Country | France |
Region | Europe developed |